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Clark Capital Management Group, Inc.
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Clark Capital Management Group, Inc.
Quarter-over-quarter position changes
529 changes
All actions
All impact
Action
Company
Quarter
↓
Δ shares
Δ %
Held after
Flow
Impact
Added
464288513
Mar 31, 2026
+1,774,250
+10%
18,968,084
$141.16M
high
Exited
046353108
Mar 31, 2026
-1,293,169
-100%
0
$118.88M
high
New
G0593M107
Mar 31, 2026
+600,052
New
600,052
$118.34M
high
New
HALLIBURTON CO
Mar 31, 2026
+3,026,116
New
3,026,116
$117.99M
high
Trimmed
78464A409
Mar 31, 2026
-991,989
-99%
5,426
$97.13M
high
Trimmed
CRH PUBLIC LTD CO
Mar 31, 2026
-872,342
-74%
309,500
$91.70M
high
Trimmed
Accenture plc
Mar 31, 2026
-433,807
-100%
1,692
$86.01M
high
Exited
Leidos Holdings Inc
Mar 31, 2026
-437,636
-100%
0
$78.95M
high
Added
APPLIED MATERIALS INC /DE
Mar 31, 2026
+230,406
+750%
261,132
$78.75M
high
Added
Merck & Co., Inc.
Mar 31, 2026
+622,454
>1000%
640,272
$74.88M
high
Added
CATERPILLAR INC
Mar 31, 2026
+105,223
>1000%
112,369
$74.55M
high
Added
FREEPORT-MCMORAN INC
Mar 31, 2026
+1,146,693
>1000%
1,153,498
$67.40M
high
Exited
Allegion plc
Mar 31, 2026
-379,835
-100%
0
$60.48M
high
Added
NEXTERA ENERGY INC
Mar 31, 2026
+636,767
>1000%
651,282
$59.14M
high
Trimmed
GENERAL ELECTRIC CO
Mar 31, 2026
-206,844
-53%
181,540
$58.70M
high
Added
MICROSOFT CORP
Mar 31, 2026
+157,523
+21%
923,708
$58.31M
high
Trimmed
VERIZON COMMUNICATIONS INC
Mar 31, 2026
-1,158,317
-99%
11,204
$58.15M
high
Trimmed
NATIONAL FUEL GAS CO
Mar 31, 2026
-605,234
-90%
68,329
$56.87M
high
New
SLB LIMITED/NV
Mar 31, 2026
+1,098,616
New
1,098,616
$56.46M
high
New
780259305
Mar 31, 2026
+574,262
New
574,262
$53.41M
high
Trimmed
PROGRESSIVE CORP/OH
Mar 31, 2026
-268,985
-99%
1,790
$53.32M
high
Exited
STERIS plc
Mar 31, 2026
-209,276
-100%
0
$53.06M
high
Added
PEPSICO INC
Mar 31, 2026
+333,052
>1000%
339,289
$51.72M
high
Exited
PayPal Holdings, Inc.
Mar 31, 2026
-880,002
-100%
0
$51.37M
high
New
EBAY INC
Mar 31, 2026
+562,299
New
562,299
$51.18M
high
Added
MICROCHIP TECHNOLOGY INC
Mar 31, 2026
+781,766
>1000%
786,531
$50.51M
high
Added
ConocoPhillips
Mar 31, 2026
+381,624
>1000%
390,958
$50.37M
high
New
NRG Energy Inc
Mar 31, 2026
+339,247
New
339,247
$49.58M
medium
Trimmed
Eaton Corp plc
Mar 31, 2026
-138,216
-97%
3,700
$49.44M
medium
Added
NORTHERN TRUST CORP
Mar 31, 2026
+347,190
>1000%
350,260
$48.46M
medium
New
Iron Mountain Inc
Mar 31, 2026
+468,365
New
468,365
$47.84M
medium
Trimmed
05946K101
Mar 31, 2026
-2,199,971
-38%
3,564,340
$47.65M
medium
Trimmed
OMNICOM GROUP INC.
Mar 31, 2026
-616,866
-40%
924,171
$46.46M
medium
New
Quest Diagnostics Inc
Mar 31, 2026
+235,422
New
235,422
$46.14M
medium
Trimmed
ABBOTT LABORATORIES
Mar 31, 2026
-448,583
-98%
7,679
$46.06M
medium
Added
Meta Platforms Inc
Mar 31, 2026
+77,900
+34%
305,530
$44.57M
medium
New
PPG INDUSTRIES INC
Mar 31, 2026
+412,079
New
412,079
$44.04M
medium
Trimmed
Fabrinet
Mar 31, 2026
-83,428
-39%
131,306
$43.51M
medium
Added
Antero Midstream Corp
Mar 31, 2026
+1,879,922
+279%
2,553,072
$42.86M
medium
Trimmed
Visa Inc
Mar 31, 2026
-141,568
-77%
41,789
$42.79M
medium
Trimmed
DT Midstream, Inc.
Mar 31, 2026
-316,032
-86%
51,869
$42.56M
medium
Added
NVIDIA Corp
Mar 31, 2026
+243,503
+11%
2,375,330
$42.47M
medium
Trimmed
DANAHER CORP /DE
Mar 31, 2026
-218,771
-98%
3,390
$41.48M
medium
Exited
Dorman Products, Inc.
Mar 31, 2026
-332,523
-100%
0
$40.96M
medium
Trimmed
867224107
Mar 31, 2026
-613,212
-47%
688,986
$40.54M
medium
Trimmed
Williams Cos Inc/The
Mar 31, 2026
-545,203
-28%
1,413,551
$39.68M
medium
New
STANLEY BLACK & DECKER, INC.
Mar 31, 2026
+551,997
New
551,997
$39.22M
medium
Trimmed
Salesforce Inc
Mar 31, 2026
-207,973
-90%
22,934
$38.82M
medium
Trimmed
COCA COLA CO
Mar 31, 2026
-489,089
-31%
1,105,719
$37.20M
medium
Added
Check Point Software Technologies Ltd
Mar 31, 2026
+257,702
+110%
491,298
$36.81M
medium
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